节点文献
证券监管者非理性偏差及其内在关联性研究
Research on Irrational Biases of Securities Regulators and Inner Correlation Among the Biases
【摘要】 本文借鉴心理学研究法,选取证券市场监管者和企业管理者为被试对象,通过发放调查问卷、回收问卷、数据处理并在此基础上应用统计学方法进行实证研究,对证券监管者的控制力幻觉、随机性误解以及联合分离事件偏差三种非理性偏差进行了分析,通过聚类分析方法考察了不同类型群体的非理性特征。
【Abstract】 The existing domestic and foreign research on irrational behaviors’ impact on the development of securities market is rare,especially on the correlation among regulators’ irrational behaviors’ influence on the development of Chinese securities market.Therefore,in order to further strengthen and promote China’s securities market development,it is of great significance to discuss and research the irrational behaviors of securities regulators.This paper analyzed whether regulators have some kinds of irrational behavior and the correlation among illusion of control,random bias,bias between joint and isolated incidents adopting the method of psychology experiment and selecting securities market regulators and managers as subjects.Meanwhile,this paper used the method of questionnaire investigation,statistics processing,cluster analysis and the empirical research on securities regulators and enterprise managers.
【Key words】 Securities Regulator; Control Illusion; Random Bias; Bias Between Joint-isolated Incidents; Correlation;
- 【文献出处】 财贸经济 ,Finance & Trade Economics , 编辑部邮箱 ,2014年05期
- 【分类号】F832.51
- 【被引频次】8
- 【下载频次】201